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Year on year Hartford Creative Group Inc grew revenues -- from 0.00 to 1.40m while net income improved 175.35% from 396.90k to 1.09m.
Gross margin | 96.03% |
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Net profit margin | 78.07% |
Operating margin | 78.33% |
Return on assets | 59.13% |
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Return on equity | -- |
Return on investment | -- |
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Cash flow in USDView more
In 2024, Hartford Creative Group Inc increased its cash reserves by 5,267.18%, or 304.97k. The company earned 859.02k from its operations for a Cash Flow Margin of 61.36%. In addition the company used 138.36k on investing activities and also paid 415.60k in financing cash flows.
Cash flow per share | 0.0109 |
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Price/Cash flow per share | 109.98 |
Book value per share | -0.0335 |
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Tangible book value per share | -0.0335 |
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Balance sheet in USDView more
Current ratio | 0.4934 |
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Quick ratio | -- |
Total debt/total equity | -- |
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Total debt/total capital | 6.80 |
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